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Jharrone Martis believes there's pockets of strength in the retail space. She points investors to Abercrombie & Fitch's (ANF) 25% rally after earnings that showed strong sales from Hollister. She also sees upside in Dick's Sporting Goods (DKS) and Five Below (FIVE). On Macy's (M), Jharrone mentions a "sea of red" in analyst expectations as she estimates the retailer to have downside tariff impact. George Tsilis offers example options trades in Abercrombie & Fitch and Dick's Sporting Goods.
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Options involve risks and are not suitable for all investors. Before trading, read the Options Disclosure Document. http://bit.ly/2v9tH6D
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Box Inc. (BOX) tapped new highs for the last 12 months thanks to a rally following its earnings beat. Diane King Hall talks about other factors behind the optimism, including A.I. offerings from the company. Sticking with A.I., Diane also explains what's behind one firm's reiterated buy rating on Broadcom (AVGO), and Barclays' price target hike on Crowdstrike (CRWD).
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“Conditions are certainly worse than when we started the year.” Rob Williams describes the coming “negative feedback loop” in economic data and the “small margin of error” the U.S. has fiscally. He says to look towards the middle of the curve for fixed income, expecting the Fed to cut later this year. He calls it “better than cash” right now. He anticipates the economy “stalling” for a few quarters but thinks we could narrowly avoid a true recession.
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Kevin Green wants to see markets retest the 5,920 level in the SPX and see if buyers step in, a strong bullish indicator for the index. Nvidia's (NVDA) earnings can help with that bull test. Kevin also points out the correlation between the U.S. Dollar and Japanese Yen's connection to SPX futures.
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Abercrombie & Fitch (ANF) underestimated itself when it came to tariffs. The company posted an earnings beat after initially telling customers to expect weakness. Jenny Horne highlights the colossal 25% rally its stock saw this morning. Okta Inc. (OKTA) didn't see that same reaction after its earnings. Jenny explains why the cybersecurity stock is selling off.
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"So many stocks are going to move" on Nvidia's (NVDA) earnings, says Kevin Hincks. He urges investors to stay on their toes once the report drops. Kevin also goes over the latest mortgage applications report that he believes shows homeowners "need a six-handle badly" on rates. When it comes to interest rates from the Fed, Kevin has seen nothing signaling an immediate cut.
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Nvidia (NVDA) earnings report after the bell, with revenue estimates checking in close to $43B. Rick Ducat breaks down the trends and key levels to watch, including a crucial support area near $130 with a potential breakout zone above $142. He also shares an example options trade for NVDA.
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Stephanie Guichard joins Diane King Hall to discuss the latest consumer confidence data and what it means for the overall health of U.S. demand. She cites The Conference Board survey and the timing it was conducted, pointing to some recovery from last month's dip. However, she does highlight a downward trend and says consumers are 'less anxious' after the 90-day pause on China tariffs.
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Matt Tuttle says he's buying the dip on any pullback after Nvidia (NVDA) reports its latest earnings. He posits the thought: would a "blowout" earnings report be enough in the wake of China scrutiny and potential headwinds? Matt is going to be paying attention to the demand from hyperscalers, especially for NVDA's Blackwell GPUs. For its China business, he adds "nobody really knows what's going on with these tariffs" and it could be a "messy" earnings report in regards to its China business.
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Ben Watson pops by Morning Movers with a look at Salesforce (CRM) ahead of earnings. On the 5-day chart, he sees support around $270 and a resistance range around $281-$288. Zooming out to a 1-year timeframe, Ben points out a sideways overall trend with its RSI echoing a building bullishness.
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